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1 - 25 of 631
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
FF $ Cash A k. 12,44-0,625,297,272,653,5530-7-2024
LOF ShTm Mon Mkt (USD) S k. 12,63-0,515,467,663,144,1330-7-2024
Amu MM ShTm (USD) IC u. 1,00-0,775,047,052,473,1230-7-2024
Amu MM ShTm (USD) IV k. 1.191,42-0,565,487,592,963,9030-7-2024
Amu MM ShTm (USD) XC u. 1,00-0,775,047,052,473,1230-7-2024
Amu MM ShTm (USD) XV k. 1.193,48-0,565,487,592,963,9130-7-2024
Amu Cash USD AU u. 109,74-0,635,257,282,953,9930-7-2024
Amu Cash USD IU k. 1.210,69-0,615,397,533,024,0330-7-2024
Amu MM ShTm (USD) PC u. 1,00     14-3-2022
Amu MM ShTm (USD) PV k. 1.184,24-0,635,357,412,863,8430-7-2024
KBC InsInv Mixed Def1 k. 1.656,701,225,209,521,602,7729-7-2024
Pic CH Sov Sh -Term Mny P dy u. 1.084,55-0,645,237,262,843,8330-7-2024
XtrII $ Overn Rate Sw UET 1C k. 197,33-0,645,327,382,733,6430-7-2024
Amu Cash USD FU k. 120,47-0,655,167,192,933,9830-7-2024
JPMLF USD Treasury CNAV Ag u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Treasury CNAV Inst u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Treasury CNAV Morg u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Treasury CNAV Prem u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Treasury CNAV Res u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Treasury CNAV X u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Liquidity LVNAV Ag u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Liquidity LVN Morg u. 1,00-1,102,091,840,602,1430-7-2024
JPMLF USD Liquidity LVNA Res u. 1,00-1,102,091,840,602,1430-7-2024
Pic ShTm Mon Mkt USD I$ k. 162,02-0,645,347,533,064,0730-7-2024
Pic Sov ShTm MM $ I$ k. 120,79-0,635,257,302,873,8530-7-2024