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Bank of Finland

Bank of Finland is an institution, managing $1.6B across 4 long positions as of Q3 2025 with 100% ETF concentration, with only 4 positions, and 30% allocation to IDEV.

Portfolio Value
$1.6B
Positions
4
Top Holding
IDEV at 29.78%
Last Reported
Q3 2025

Top Holdings

Largest long holdings in Bank of Finland's portfolio (100% of total portfolio)

See all holdings
HoldingSectorPositionWeightTradedOwnership
ETF
ETF
$486.6M
29.78%
6.1M shares
ETF
ETF
$442.9M
27.11%
+$1.3M
Bought
10.8M shares
ETF
ETF
$356.1M
21.80%
+$789.0K
Bought
5.0M shares
ETF
ETF
$348.2M
21.32%
+$1.0M
Bought
520.3K shares

Changes

Portfolio activity, position movements, and quarter-over-quarter changes in Bank of Finland's latest filing

See all changes
Market Value
$1.6B
Prior: $1.5B
Q/Q Change
+6.71%
+$102.7M
Net Flows % of MV
+0.191%
Turnover Ratio
0.096%
New Purchases
0 stocks
-
Added To
3 stocks
+$3.1M
Sold Out Of
0 stocks
-
Reduced Holdings
0 stocks
--

Increased Positions

PositionShares Δ
+0.3%
+0.29%
+0.22%

Decreased Positions

PositionShares Δ
No decreased positions

Analytics

Portfolio insights and performance metrics for Bank of Finland

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Sector Allocation

ETF: 100.00%ETF
ETF
100.00%

Market Cap Distribution

N/A (ETF or Unknown): 100.00%N/A (ETF or Unknown)
N/A (ETF or Unknown)
100.00%

Portfolio Concentration

Top 10 Holdings %
100.0%
Top 20 Holdings %
100.0%
Top 50 Holdings %
100.0%
Top 100 Holdings %
100.0%

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