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FondsnaamKoers1 maand
(%)
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(%)
1 jaar
(%)
5 jaar
(%)
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(%)
Datum
Zurich Corp Bd Lg k. 99,100,86-0,307,31-3,15 23-7-2024
ZL IBN Ultra Long Dur Fds k. 29,71-1,55-7,590,12-13,07-0,2023-7-2024
ZL IBN Medium Duration fds k. 27,070,38-0,724,67-2,990,1223-7-2024
ZL IBN Long Dur Fds k. 29,15-0,50-4,952,86-8,410,2823-7-2024
ZL IBN Credits fds u. 10,730,751,967,43-0,941,0023-7-2024
ZL BFN Gov Bds 10+ fds u. 8,160,57-2,852,89-5,150,8523-7-2024
ZI IF Obl € E1 k. 603,04-1,22-7,18-2,83-4,72-1,0623-7-2024
ZI IF Obl € D1 k. 585,48-1,22-7,19-2,83-4,70-1,0423-7-2024
ZI IF Obl € A1 k. 631,72-1,21-7,11-2,40-4,47-0,8823-7-2024
Zantke Euro CorpBds AMI Sa u. 105,620,631,285,78  22-7-2024
Zantke Euro CorpBds AMI P(a) u. 116,990,581,005,29-0,171,3922-7-2024
Zantke Euro CorpBds AMI P(a) u. 116,320,871,045,55-0,16 24-7-2024
Zantke Euro CorpBds AMI I(a) u. 118,000,611,165,560,091,7222-7-2024
Zantke € HighYield AMI Sa u. 116,990,702,968,45  22-7-2024
Zantke € HighYield AMI P(a) u. 117,640,662,697,960,171,8422-7-2024
Zantke € HighYield AMI I(a) u. 118,110,672,808,190,372,1122-7-2024
XtrII MTS xBohIT BOT UETF 1C k.  0,000,000,00-0,49 22-6-2022
XtrII MTS xBohIT BOT UETF 1C k. 32,570,311,903,690,650,2423-7-2024
XtrII MTS xBohIT BOT UETF 1C k. 32,580,301,893,650,650,2424-7-2024
XtrII MTS xBohIT BOT UETF 1C k. 32,580,401,963,680,660,2424-7-2024
XtrII MTS xBohIT BOT UETF 1C k. 32,570,301,963,440,620,2224-7-2024
XtrII MTS xBofIT AggUETF 1D u. 53,81     8-11-2019
XtrII MTS xBofIT AggUETF 1D u. 54,03     8-11-2019
XtrII MTS xBofIT AggUETF 1D u. 53,85     8-11-2019
XtrII MTS ITALY AGREGATE 1D u.       12-10-2016