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
1 - 25 of 603
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
FSIGU Indian Subc VI€ k. 20,03 -0,68 -3,420,8211,1436,6821,578-8-2024
FSIGU Indian Subc III k. 50,21 -0,55 -3,390,7110,9836,2621,338-8-2024
FSIGU Indian Subc II k. 119,94 -0,56 -3,400,6710,8335,5620,948-8-2024
FSI FSSA Indian Subcontin E£ k. 1,99 -0,37 -4,17-0,1110,5835,5621,298-8-2024
FSI FSSA Indian Subcontin E€ k. 2,02 -0,62 -4,030,0010,5135,5021,318-8-2024
FSI FSSA Indian Subcontin E$ k. 1,88 -0,55 -4,010,0210,3935,3320,978-8-2024
FSIGU Indian Subc I k. 194,37 -0,56 -3,400,6510,7835,2520,788-8-2024
FSI FSSA Indian Subcontin B£ k. 1,95 -0,36 -4,18-0,1310,5035,1321,058-8-2024
FSIGU Indian Subc I u. 192,27 -0,56 -3,410,6410,6835,1320,678-8-2024
CIM IF DIV INC K£ 16,51 1,38 -2,91-5,33-2,1520,9713,737-8-2024
CIM IF DIV INC I$ k. 16,13 1,48 -2,95-5,36-2,3220,7313,377-8-2024
CIM IF DIV INC F£ k. 1,82 1,38 -2,92-5,36-2,2520,4913,467-8-2024
CIM IF DIV INC B$ k. 2,37 1,48 -2,96-5,39-2,4120,2513,107-8-2024
CIM IF DIV INC D€ k. 2,29 1,50 -3,02-5,48-2,4520,1612,967-8-2024
OVID AsiaPac Infr Eq SI k. 105,15 1,88 -4,87-5,990,1018,2417,708-8-2024
OVID AsiaPac Infr Eq I k. 104,10 1,87 -4,88-6,020,0317,9217,498-8-2024
OVID AsiaPac Infr Eq R k. 101,86 1,88 -4,88-6,07-0,1217,0917,058-8-2024
CIM IF DIV INC X$ 1,55 1,49 -2,94-5,29-5,5114,487,157-8-2024
CIM IF DIV INC J£ u. 10,84 1,38 -2,91-5,33-5,5513,746,947-8-2024
NB Sustainable Asia H USD Z k. 9,77 0,00 -1,82-0,182,1213,5710,697-8-2024
CIM IF DIV INC H$ u. 10,08 1,48 -2,95-5,36-5,7113,516,607-8-2024
iSh AsPac Div UETF $ u.   0,00 0,000,002,2413,379,8228-3-2024
UBS(L)FS MSCI Pac Soc Resp A u.   0,00 1,141,216,3113,1825,154-7-2024
CIM IF DIV INC A€ u. 1,31 1,48 -2,96-5,39-5,8013,066,347-8-2024
NB Sustainable Asia H USD I k. 9,28 0,11 -1,75-0,152,1012,9910,337-8-2024