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170151 - 170175 of 170205
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
SG Monetaire ISR I k. 10.582,420,311,933,98  23-6-2024
AMUNDI € Liq ST SRI LCLPEC k. 5.126,930,291,803,700,59 23-6-2024
AMUNDI € Liq ST SRI SG (C) k. 10.458,100,291,813,71  23-6-2024
Ostrum ISR Cash N k. 103,420,301,733,38  23-6-2024
Amundi € Liq SRI R-C k. 10.351,000,311,954,000,79 23-6-2024
SG Monetaire ISR P k. 101,800,291,803,710,57 23-6-2024
Amundi € Liq SRI Z 1.054.027,010,321,984,07  23-6-2024
. FR001400ODL1 NULL 1,010,31    23-6-2024
BFT AUREUS ISR I2 k. 10.383,220,321,984,06  23-6-2024
Palatine Noma I k. 33.836,620,321,924,040,980,4923-6-2024
Aviva Monétaire ISR CT E k. 1.064,000,301,933,98  23-6-2024
Amundi € Liq SRI I2C k. 10.385,560,321,984,070,86 23-6-2024
Ostrum ISR Cash E k. 7.311,920,311,833,830,800,3023-6-2024
BFT AUREUS ISR EC/D k. 103,300,311,933,91  23-6-2024
Ostrum ISR Cash G1 k. 1.044,980,311,833,84  23-6-2024
Ostrum ISR Cash P k. 3.345,230,301,843,850,800,3023-6-2024
Ostrum SRI M Pl I u. 101.473,400,311,972,410,530,0823-6-2024
. FR001400F8C7 101,280,291,22   23-6-2024
CPR CASH TF k. 209,220,311,913,92  23-6-2024
Ostrum ISR Cash C k. 315,430,301,833,830,800,2923-6-2024
La Franç Trésorerie ISR B k. 104,670,311,964,040,87 23-6-2024
BFT AUREUS ISR PC k. 104,200,311,933,87  23-6-2024
AMUNDI € Liq ST SRI PM 103,060,281,753,60  23-6-2024
Palatine Institutions C k. 2.684,180,321,954,120,990,5223-6-2024
NTGF The Euro Liquidity F€ k. 1,000,000,002,54  23-6-2024