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
94026 - 94050 of 170037
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
JHIF II Cautious Managed F I k. 281,00 -0,53 -1,51-0,531,339,851,192-7-2024
Lyxor Planet I€ k. 171,05 0,21 0,061,141,687,984,712-7-2024
LtGF Eurp Strat Eq £C4(R) k. 24,24 -0,01 -0,442,021,3917,5415,892-7-2024
JAMS EM Debt A$ k. 25,05 -0,52 -1,400,83-0,3012,714,762-7-2024
BNPP Clim Imp N k. 210,00 0,32 -1,21-2,86-2,39-1,45-0,072-7-2024
CSF2 CS (CH) Gl Corp Bds ZA k. 1.020,86 0,24 -1,071,320,775,491,452-7-2024
BGF Gl Dyn Eq A2(H)CNH k. 208,20 -0,30 -0,231,453,2313,9810,912-7-2024
Algebris Fin Credit ID€ u. 109,84 0,00 0,270,061,5621,245,672-7-2024
CSIF Bd Wrld ex CH Idx Bl QA k. 728,95 0,09 -1,410,63-1,57-0,28-2,312-7-2024
Schroder UK Smaller Comp Z u. 155,20 -0,77 -0,13-2,4511,8216,4314,202-7-2024
JHGF Gl Tech I Net k. 5.617,00 0,59 2,137,328,0846,5429,962-7-2024
BFL ENTREPRENEUR EUROPE SM B k. 403,93 -0,37 -0,90-3,602,7516,3411,912-7-2024
Pim GIS Em Mkts Bd Inst u. 15,40 0,12 -1,110,701,0911,485,482-7-2024
BNYM IF Cont Eurp Inst W k. 3,24 -1,10 -1,570,441,7018,4513,322-7-2024
MediBB COUPON STRATEGY C SHC k. 11,62 -0,18 -0,710,990,006,932,902-7-2024
TCW EM Inc Fd AE k. 151,89 0,36 -1,430,670,428,584,292-7-2024
SLiF Bd Gl Corp (CHF hd I-A1 u. 805,38 0,26 -1,500,580,92-0,04-8,692-7-2024
BNYM IF UK Eq NIS3 k. 6,65 -0,73 -1,98-0,461,497,605,992-7-2024
JHUK&EU All St Credit I Net u. 114,80 -0,17 -1,96-0,26-1,463,71-3,852-7-2024
JAMS Gl EM Foc S£ k. 18,65 -0,20 -0,785,660,3110,615,782-7-2024
SLiF Bd Gl Corp (CHF hd I-A2 u. 808,01 0,26 -1,510,550,83-0,04-8,522-7-2024
HANSAzins u. 23,57 -0,06 -0,030,530,835,541,482-7-2024
UBS(CH)IF Eq CH Passive I-A1 k. 2.822,94 -0,23 -1,110,595,297,834,482-7-2024
SUF Gl Fin Fd C k. 3,17 -0,06 0,981,073,0730,9614,402-7-2024
Jupiter European Fund I k. 3.599,77 -0,92 -1,78-1,67-2,149,082,072-7-2024