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AlgemeenRendementRating&RisicoKosten
1 - 25 of 170236
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
FF Emerging Europe, M SP A-A k. 1,39 0,00 0,161,46104.545,62 105.622,6914-6-2024
FF Emerging Europe, M SP Y-A k. 1,25 104.250,00 0,561,21104.250,00104.250,00104.250,0014-6-2024
FF EM Eurp, MEA SP A-USD u. 1,19 0,00 1,511,24100.935,92100.898,83102.401,5814-6-2024
FF Emerging Europe, M SP E-A k. 1,53 102.086,67 0,561,21102.086,67 102.086,6714-6-2024
FF EM Eurp, MEA SP A-ACC-USD k. 1,38 0,00 1,511,24100.510,00108.209,46101.969,5014-6-2024
FF EM Eurp, MEA SP A-ACC-EUR k. 1,73 0,00 0,561,21101.623,53107.981,25101.623,5314-6-2024
FF EM Eurp, MEA SP A-GBP u. 1,86 0,00 0,971,4699.228,16 100.961,0014-6-2024
FF Emerging Europe, M SP Y-A k. 1,27 0,00 1,521,2499.138,46107.368,92100.578,0814-6-2024
FF EM Eurp, MEA SP A-Euro u. 1,49 0,00 0,561,2199.466,67106.578,5799.466,6714-6-2024
FF Emerging Europe, M SP I-A k. 0,95 105.088,89 1,521,25107.116,67 97.794,8014-6-2024
. NL0014676587 107,29 0,00  1.251,683.812,9817.006,8277.034,4413-6-2024
MUL Gl Eq Qual Inc C€ u. 1.068,43 -0,59  -2,064,353.566,7339.702,5812-6-2024
Allnz UK&EU Allianz Contin S u. 11.571,00 0,00 -1,53-0,05-0,80 10.804,7214-6-2024
12Cap Twelve Multi St M4+ US 11.080,71 0,00  -1,670,47 10.749,047-6-2024
Allnz UK&EU UK Opp I (Acc) k. 10.454,00 0,00 -1,49-2,976,49 10.495,9914-6-2024
Allnz UK&EU Allianz U W (Inc u. 10.073,00 0,00 -1,70-3,198,37 10.433,3114-6-2024
Coeli Circulus Americ I Fond 11.083,59 0,24 0,52-1,370,5410.750,7310.398,9414-6-2024
FTF FTF Western Asset W (inc u. 0,67 0,00 1,0246,49340,9520.024,461.406,2314-6-2024
FTF FTF Western Asset S (inc u. 0,87 0,00 1,0246,49229,7014.967,131.026,5614-6-2024
AGIF Alz Inc and Gwth WT$H2B k. 14.805,91 0,71 0,60-1,60870,76949,92870,9914-6-2024
Amu Emerging Europe A SP EUR k. 0,09 0,00  0,000,00800,00800,0013-6-2024
WT CS WT Cocoa 2x Dly Lev k.   0,00 10,9661,6354,85974,76601,8210-6-2024
WT CS WT Cocoa 2x Dly Lev k. 73,68 -7,36  113,6866,28929,01548,2314-6-2024
WT CS WT Cocoa 2x Dly Lev k. 78,73 -8,08  113,3466,14931,49547,4814-6-2024
WSF - DE000A1C0US1 834,70 0,00  1,12499,60544,76531,3924-5-2024