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
94076 - 94100 of 170182
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
CpeCap FI Fd £II k. 118,92 0,11 0,391,042,408,884,5210-7-2024
SISF Sustainable EURO Cre IZ k. 103,18 0,13 0,430,760,878,881,8811-7-2024
Invest Horizon Europe A k. 123,02 0,75 -1,04-3,59-0,958,883,7510-7-2024
MFS Meri Prudent Wealth W1£ k. 20,93 0,72 0,560,762,178,884,1610-7-2024
SPDR II SPDR S&P U.S. CO USD k. 36,19 -0,22 0,85-0,034,158,8811,2111-7-2024
Guin EM Eq Inc I USD Inc 9,83 0,08 -0,29-1,782,438,885,2210-7-2024
Jupiter Europ Spec Sit Acc k. 490,33 0,45 -0,47-2,58-2,458,882,0011-7-2024
KmpIF Sust Eurp SmCp A k. 32,99 0,06 1,85-1,880,898,884,2410-7-2024
4 Jahreszeiten I u. 119,61 0,30 0,071,102,528,885,2510-7-2024
Nrda1 European Corpor HB-NOK k. 1.024,39 0,20 0,131,281,338,88-0,9311-7-2024
MS Global Brands AX u. 75,53 0,65 -0,52-0,630,478,884,5311-7-2024
Mirova Mirova Gl Gree SI/AH$ k. 87,97 0,25 -0,340,631,158,881,8110-7-2024
Muz Enhyld ShTm X k. 111,02 0,04 0,440,802,968,885,8910-7-2024
BGF EM Bond A6(H)CAD u. 7,40 0,68 0,771,16-0,848,880,6311-7-2024
MS Global Asset Backed Sec I k. 37,37 0,21 0,260,763,058,884,4211-7-2024
ML UCTS Crabel Advanc USD In 146,63 1,08 -0,07-1,29-1,718,8814,6810-7-2024
iSh $ Treas Bd 0-1Y UE MXNHA k. 407,06 0,58 1,102,84-6,158,881,9210-7-2024
L&G SCV L&G Net Zero Z Accu k. 1,08 0,00 0,400,993,028,885,2810-7-2024
ESIF M&G Sustainable EUR P k. 113,73 -0,01 0,150,361,398,884,4410-7-2024
Polar Gl Conv I€ k. 13,61 0,44 0,590,59-0,228,883,3610-7-2024
BNYM GF Responsible H Euro X k. 0,96 0,00 0,621,040,568,881,6711-7-2024
BGF ESG MltAs A2 € k. 19,35 0,52 0,741,392,558,884,6811-7-2024
HGIF Global Lower Carbon AC k. 8,54 -0,23 0,060,530,728,882,6711-7-2024
SPDR II SPDR S&P U.S. CO USD k. 39,25 0,03 1,030,305,448,8811,3211-7-2024
AMMGF AXA Selection F I EUR k. 151,42 0,52 -0,17-0,260,498,883,2710-7-2024