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
51 - 75 of 8408
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
HGIF IN FI AM3OJPY u. 9.875,31 0,00 -1,385,933,24  16-8-2024
Ashm EM ShDur Z CHF k. 76,09 0,17 -0,515,7510,2725,844,3014-8-2024
BluBay EM Uncstr Bd R-CHF k. 116,59 0,00 -0,065,735,08 1,7714-8-2024
Ashm EM ShDur R CHF k. 72,06 0,17 -0,525,6910,0925,013,8614-8-2024
SISF As LC Bd C CHFh k. 110,90 0,06 -0,625,646,272,80-3,8416-8-2024
SISF As LC Bd A CHFh k. 107,31 0,06 -0,635,626,162,37-4,0916-8-2024
HGFI Global Emerging ZQ1HJP u. 99,97 0,00 -0,875,553,50 -5,1515-8-2024
Pic Em LC Debt HZ CHF k. 132,47 0,96 0,675,325,393,30-4,2814-8-2024
FTIF Tem Asian Bond A€h1 k. 7,46 0,54 -0,165,275,86-1,04-7,0516-8-2024
Pic Em LC Debt HI CHF k. 121,67 0,96 0,665,265,192,49-4,7514-8-2024
FTIF Tem Asian Bond I CHFh k. 8,19 0,49 -0,255,205,89-0,45-6,8016-8-2024
HGFI Global Emerging ZQFIX8 u. 99,07 0,00 -0,875,193,15 -6,0215-8-2024
iShIII JPM EM Loc Gvt Bd U $ u.   0,00 -1,105,122,795,311,981-7-2024
BluBay EM LC Bd Q-CHF k. 80,21 1,08 0,645,065,563,00-4,9014-8-2024
BGF EM IG Bd A6(H)£ u. 8,16 0,00 2,314,970,490,12-1,9916-8-2024
BluBay EM LC Bd R-CHF k. 74,94 1,08 0,644,975,352,21-5,3014-8-2024
GAM Mb Loc EM Bd C CHF k. 78,17 0,89 0,514,924,691,87-5,1014-8-2024
GAM Mb Loc EM Bd R CHF k. 82,38 0,88 0,504,924,671,86-5,1114-8-2024
GAM Mb Loc EM Bd Ra CHF u. 56,46 0,88 0,494,914,671,85-5,1214-8-2024
Ashm EM LC Bd Fd RetCHF k. 87,04 0,86 0,414,904,511,66-5,2914-8-2024
FTIF Tem Asian Bond A SGDh u. 5,27 0,57 0,654,903,933,23-2,1816-8-2024
GAM Mb Loc EM Bd B CHF k. 71,58 0,89 0,514,874,511,21-5,4914-8-2024
GAM Mb Loc EM Bd A CHF u. 38,35 0,87 0,504,854,511,21-5,4914-8-2024
BGF Sust EM Blended B D2CHFh k. 9,04 0,22 0,344,755,056,95-1,7416-8-2024
PriEdg JPM EM LC Bd hCHFIA k. 8,87 0,84 0,404,664,382,11-5,8014-8-2024