Bank of Finland

CIK: 0001844891Latest portfolio: $1.4B · Q4 2025

Holdings

4

Total Value

$1.4B

New Positions

0

Closed Positions

0

Top Holdings

#StockSharesValue% PortfolioChangeType
1
USCADBX ETF TR
10,793,051$451.5M31.36%+37K
2
PABUISHARES TR
4,971,770$362.2M25.15%+17K
3
IVVISHARES TR
522,156$357.6M24.84%+2K
4
IDEVISHARES TR
3,254,031$268.4M18.64%-2,815,112

Sector Breakdown

Financial Services100.0% ($451516362152357.6T)

Filing History

QuarterFiling DatePortfolio ValueHoldings
Q4 2025Jan 15, 2026$1.4B4
Q3 2025Oct 10, 2025$1.6T4
Q2 2025Aug 11, 2025$1.5T4
Q1 2025May 12, 2025$1.4T4
Q4 2024Jan 31, 2025$1402.3T4
Q3 2024Nov 1, 2024$1667.6T4
Q2 2024Aug 5, 2024$1567.8T4
Q1 2024Apr 30, 2024$1525.4T4
Q4 2023Jan 18, 2024$1403.1T4
Q3 2023Oct 10, 2023$1576.9T4
Q2 2023Jul 6, 2023$1636.8T4
Q1 2023Apr 28, 2023$1531.6T4
Q4 2022Feb 3, 2023$1417.3T4
Q3 2022Nov 8, 2022$1.3T4
Q2 2022Aug 8, 2022$1.4T4
Q1 2022May 3, 2022$1.6T2
Q4 2021Feb 7, 2022$1.7T2
Q3 2021Oct 13, 2021$1.6T2
Q2 2021Aug 9, 2021$1.6T2
Q1 2021May 7, 2021$1.5T2
Q4 2020Feb 11, 2021$1.4T2

Fund Information

CIK0001844891
Most Recent FilingJan 15, 2026
Number of Filings21

Bank of Finland is an institutional investment manager that files 13F reports with the SEC. As of the Q4 2025 filing, the fund reported a portfolio valued at $1.4B across 4 holdings. The largest position is DBX ETF TR (USCA), representing 31.4% of the portfolio. Compared to the previous quarter, the fund opened 0 new positions and closed 0 positions. 13F filings are required quarterly disclosures that provide transparency into the holdings of institutional investment managers with at least $100 million in qualifying assets.