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
170151 - 170175 of 170209
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
EI Global Growth Equit A SGD k. 11,36 0,19 1,002,096,1425,5014,0212-7-2024
EI US Investment Grade Bond u. 8,26 0,55 0,39-0,381,734,23-0,2112-7-2024
EI Global Technology Class 17,06 -0,93 2,147,1913,3150,9534,8712-7-2024
EI Asia Sustainable B AS SGD k. 9,51 0,28 0,320,161,216,661,4912-7-2024
AIIF Aviva Investors Month 2 k. 140,15 -0,19 0,651,450,9811,970,9912-7-2024
Schroder Strategic Bond Z u. 53,96 0,22 0,64-1,61-0,986,600,9012-7-2024
EI China A Shares Gro AH HKD k. 4,95 2,00 -0,42-2,79-0,25-13,70-0,2512-7-2024
. LU2801452207 NULL 10,35 0,69 0,230,99   12-7-2024
. LU2721394232 10,47 1,61 -0,13-2,90-5,04 4,2312-7-2024
. LU2482946717 12,34 1,20 0,162,105,5124,5115,3612-7-2024
EI China Bond ADM USD u. 9,37 0,35 -0,520,690,474,081,9912-7-2024
EI US High Yield Bond RE k. 10,09 0,35 0,560,841,7510,302,7512-7-2024
. LU2386887108 7,50 0,44 0,10-0,090,980,951,4112-7-2024
EI China Bond ASD SGDh u. 9,23 0,33 -0,140,05-0,511,60-1,4512-7-2024
EI Asian Bond FGDY hedged u. 8,11 0,42 0,861,193,805,311,6712-7-2024
AMUNDI € Liq ST SRI P k. 102,44 0,03 0,060,290,933,762,0614-7-2024
AMUNDI € Liq ST SRI LCLPC k. 102,37 0,03 0,060,270,883,621,9314-7-2024
Amundi € Liq SRI E-C k. 20.658,96 0,03 0,060,290,933,872,0614-7-2024
Amundi € Liq SRI M-C k. 207.212,50 0,03 0,060,300,984,052,1614-7-2024
Amundi € Liq SRI ICC k. 244.126,56 0,03 0,060,300,984,072,1714-7-2024
AMUNDI € Liq ST SRI I2C k. 10.369,12 0,03 0,060,300,973,992,1214-7-2024
AMUNDI € Liq ST SRI S-C k. 1.044,58 0,03 0,060,300,963,942,1114-7-2024
Ostrum ISR Cash D u. 216,94 0,03 0,060,280,923,852,0314-7-2024
AMUNDI € Liq ST SRI E-C k. 10.296,70 0,03 0,060,290,933,802,0614-7-2024
Ostrum ISR Cash I k. 11.349,83 0,03 0,060,300,963,972,1214-7-2024