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1 - 25 of 857
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
Amu Cash EUR ME k. 104,390,312,253,880,75 31-7-2024
Amu Cash EUR IE u. 1.012,550,312,273,890,74 31-7-2024
BNPP InCsh EUR C T1 k. 102,220,282,173,690,71 31-7-2024
Sw(LU)MMFR EUR GT k. 101,840,342,183,820,71 31-7-2024
Cand MM € AAA S k. 1.077,51     18-8-2015
LOF ShTm Mon Mkt (EUR) M u. 98,460,302,283,920,80 31-7-2024
LOF ShTm Mon Mkt (EUR) M k. 115,200,302,283,920,80 31-7-2024
GSF VI Liq Eu ZDQ€ u. 5.018,030,352,374,070,91 1-8-2024
DWS Ins ESG € MnyMkt ID BA u. 13.597,370,322,354,060,81 31-7-2024
Amu Cash EUR RE k. 102,320,302,223,800,66 31-7-2024
AS Liq € Z3 u. 1.000,000,001,621,640,03 31-7-2024
AS Liq € J3 u. 1,000,001,781,780,03 31-7-2024
AGIF Alz Enh ShTm € W€ u. 981,740,452,052,150,28 31-7-2024
AGIF Floating Rate No VZ A-€ u. 99,790,352,291,890,51 31-7-2024
DWS Ins ESG Pen Float Yld IC k. 12.237,960,342,404,200,84 31-7-2024
GSF VI Liq Eu BC€ k. 1.223,030,342,293,930,82 1-8-2024
AGIF Treasury ShTm + € I€ u. 928,320,522,212,620,27 31-7-2024
AGIF Treasury ShTm + € A€ u. 94,090,512,172,550,21 31-7-2024
SISF EUR Liq B k. 120,140,292,193,690,56 31-7-2024
SISF EUR Liq A1 k. 116,370,292,193,690,56 31-7-2024
AS Liq € I2 k. 1.256,120,312,273,910,83 31-7-2024
DB Pf € UltSh FI 3-6M N k. 80,550,392,774,880,99 31-7-2024
Allianz Money Market US$ A$ u. 101,99-0,355,046,561,73 31-7-2024
Allianz Euro Cash A€ u. 47,470,292,282,080,52 31-7-2024
Ez Cash € R k. 112,460,311,983,400,31 30-7-2024