Fondsen
Doorzoek alle in België verhandelde fondsen
Verfijnd zoeken naar fondsen die voldoen aan uw criteria
Fondsenzoeker
Turbo-list
Vergelijk Fondsen
Watch-list
Turbo-List
Beleggingsinstelling
Categorie Sector
AlgemeenRendementRating&RisicoKosten
51 - 75 of 2377
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
M&G4 Managed Gwth Fd StlgPP u. 1,37 -0,23 -0,030,183,0512,318,6110-6-2024
HSBC OF Global Sustai Income u. 1,40 -0,07 1,321,642,0810,677,2910-6-2024
HSBC IF Monthly Income Inc C u. 1,44 -0,46 -0,32-0,955,068,616,1110-6-2024
HSBC OF Global Sustai Accumu k. 1,45 -0,07 1,331,682,5512,477,7810-6-2024
BNYM GF BNY Mellon Glob C$Xh k. 1,45 -0,68  -0,890,965,023,2310-6-2024
M&G4 Managed Gwth Fd Stlg A u. 1,45 -0,23 -0,030,162,9111,908,4110-6-2024
BNYM GF BNY Mellon Global $W k. 1,46 -0,67  -0,952,667,816,5010-6-2024
HSBC OF Global Sustai Accumu k. 1,46 -0,07 1,341,712,6112,687,8810-6-2024
DnskInv Yhteisökorko Plus K 1,49 -0,03 0,06    10-6-2024
HSBC OF Global Sustai Income u. 1,50 -0,04 1,371,672,7212,428,7310-6-2024
M&G4 Managed Gwth Fd StlgPP k. 1,53 -0,24 -0,030,183,7614,909,3510-6-2024
HSBC OF Global Sustai Accumu k. 1,55 -0,04 1,371,682,9914,039,0110-6-2024
HGIF Managed Solutions A HKD k. 1,56 0,06  1,054,765,719,797-6-2024
HSBC OF Global Sustai Accumu k. 1,56 -0,04 1,381,703,0414,229,1010-6-2024
Davy Davy Long Term Growth D k. 1,57 0,16  0,823,0813,498,497-6-2024
Nora Fund Five (DK) 1,66 0,05  1,243,2817,4612,417-6-2024
Nora Fund Five (DK) 1,66 -0,07  1,313,3417,5412,4817-5-2024
L&G ICAV L&G Multi-Index N€ k. 1,66 -0,02  0,812,9012,047,037-6-2024
AXA FGSM ZI u. 1,69 -0,18 0,420,973,1011,496,9010-6-2024
M&G4 Managed Gwth Fd Stlg A k. 1,86 -0,24 -0,030,173,7214,749,2710-6-2024
AXA FGSM ZI k. 1,92 -0,21 0,420,943,1013,008,4010-6-2024
AXA FGSM Z u. 2,01 -0,20 0,410,943,0711,436,9910-6-2024
HSBC OF World Selectio Inc C u. 2,02 0,02 1,241,823,3615,0810,2810-6-2024
HSBC OF World Selecti Inst I u. 2,03 0,03 1,251,863,2215,0810,2410-6-2024
M&G4 Managed Gwth Fd Stlg R u. 2,10 -0,23 -0,030,162,9412,128,4410-6-2024