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
301 - 325 of 360
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
AS SI II TR Credit Fd D€h k. 11,86 0,13 0,200,841,349,522,3614-6-2024
BluBay TR Credit I-£ k. 114,62 0,03 1,031,471,799,533,9613-6-2024
AS SI II TR Credit Fd Bh€ k. 11,35 0,13 0,210,851,399,552,4314-6-2024
BluBay TR Credit C-£ QIDiv u. 76,52 0,04 1,031,471,819,573,9913-6-2024
Alken Abs Rtn Eurp CH3 k. 109,34 -0,96 -1,640,202,039,600,5313-6-2024
Moorea Sust Strc Inc RE k. 1.267,91 0,14  -0,321,569,643,2612-6-2024
AS SI II TR Credit Fd D€h u. 8,20 0,12 0,200,841,389,652,4314-6-2024
PriCap PCAM Select Su D (USD 1.352,17 0,00    9,866,9730-4-2024
Moorea Sust Strc Inc ME k. 1.158,77 0,14  -0,301,629,913,3812-6-2024
AS SI II TR Credit Fd Zh€ k. 11,65 0,13 0,210,881,469,982,5814-6-2024
MLT-AXX Absolulte Rtn u. 102,06 0,96  0,632,5910,065,787-6-2024
Alken Abs Rtn Eurp CH2 k. 124,41 -0,96 -1,630,252,1710,180,7913-6-2024
Moorea Sust Strc Inc IE k. 1.133,35 0,14  -0,281,7210,343,5612-6-2024
La Française Sub Debt ICCHFh k. 1.121,59 -0,07 -0,020,99-0,0710,35-2,0913-6-2024
Piazza FoF Total Return k. 173,89 0,00  0,621,8210,707,1112-6-2024
Alken Abs Rtn Eurp A k. 145,17 -0,98 -1,94-1,023,1710,726,0013-6-2024
Alken Abs Rtn Eurp K€ k. 107,63 -0,98 -1,93-0,983,2811,086,2213-6-2024
C-QUAD ARTS TR Bond VTA h k. 138,30 0,16 -1,89-1,71-0,3911,092,9214-6-2024
Alken Abs Rtn Eurp I k. 166,40 -0,98 -1,93-0,983,2811,126,2213-6-2024
Alken Abs Rtn Eurp CH1 k. 129,25 -0,97 -1,630,262,2511,221,2813-6-2024
La Française Sub Debt R k. 131,86 -0,06 -0,29-0,181,0111,333,1013-6-2024
Alken Abs Rtn Eurp EU1 k. 153,22 -0,98 -1,93-0,963,3611,426,3713-6-2024
Alken Abs Rtn Eurp H k. 180,48 -0,98 -1,92-0,943,4011,556,4513-6-2024
Moorea Sust Strc Inc RUHE k. 1.499,26 0,15  0,413,0911,636,5912-6-2024
Antaurus Europe Fund k. 346,58 1,24   8,0411,757,0331-5-2024