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94001 - 94025 of 170067
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
NOGS LatAmn Corp Debt Fd C u. 17,290,305,767,51-0,50 29-7-2024
SPDR Bloomberg 10+ Year USD u. 21,530,30-1,451,52-2,13 30-7-2024
HGIF Gl HY Bd A u. 9,020,300,865,84-0,42 30-7-2024
UBS(L)MM € Q k. 104,010,302,173,74  29-7-2024
AB I Select Abs α Pf S1€H k. 26,840,309,1510,455,153,9429-7-2024
Pic ShTm Mon Mkt EUR I dy u. 140,690,302,253,92  30-7-2024
Amu MntPen Gl Conv Bd RE k. 117,440,30-0,70-0,851,491,2829-7-2024
Pic ShTm Mon Mkt EUR I€ k. 144,380,302,253,920,820,2730-7-2024
Aviva Structure Index 5 650,950,30-29,12-52,91  29-7-2024
Pim GIS Gl RealRtn E k. 19,410,302,965,350,483,8729-7-2024
Pic Gl Megatr Sel P CHF k. 354,450,308,7113,697,518,9230-7-2024
JO Hambro CM Eurp Sel Val E€ k. 1,340,300,151,130,67 30-7-2024
GSF GS EM Debt Ptf IO u. 9,760,306,4013,341,00 30-7-2024
FF EM LC Debt A-ACC-EUR k. 10,080,30-2,33-0,20  30-7-2024
Nat IFLI Thematics Me HRACHF k. 129,950,30-0,904,778,36 29-7-2024
BFT Fr Monétaire CT ISR I k. 13.999,030,302,344,010,870,3529-7-2024
FCP PEA Court Terme N (C) k. 100,880,302,304,07  29-7-2024
FTGF Western Asset Global A k. 166,830,303,836,921,253,8829-7-2024
ICS BR ICS € Liq AON k. 103,610,302,243,880,750,3630-7-2024
GSF Euro Liquid Reserves X k. 10.406,440,302,283,98  30-7-2024
HGIF Gl IG Sec Credit ACHS$ k. 10,970,304,206,852,53 30-7-2024
Amundi ETF PEA MSCI Europe € k. 30,160,309,5711,708,56 30-7-2024
Pim GIS Gl RealRtn E u. 12,990,302,965,370,473,8729-7-2024
SISF EUR Liq A k. 121,630,302,183,720,55 30-7-2024
Agon AM Ir HY Gl Bd A k. 11,940,308,0615,07  30-7-2024