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
5201 - 5225 of 5278
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
Raiff-FondsPension-Er (RZ) A u. 113,84 0,01 0,962,663,98 5,6523-5-2024
Raiff-FondsPension-Er (RZ) T k. 123,99 0,01 0,962,663,97 5,6423-5-2024
HSBC OF Global Sustai Accumu k. 1,21 -0,06 0,973,112,518,983,7322-5-2024
HSBC OF Global Sustai Income u. 1,15 -0,06 0,973,121,707,182,9122-5-2024
JHF Balanced I1m H£ u. 12,87 -0,16 0,974,322,5018,959,3322-5-2024
HSBC OF Global Sustai Accumu k. 1,22 -0,06 0,973,132,559,183,8022-5-2024
IFM Mix: AW k. 125,59 0,00 0,983,034,4010,324,8823-5-2024
Amundi ESG Income 2 A u. 10,45 0,00 0,982,693,809,654,3322-5-2024
BGF ESG MltAs A2hZAR k. 129,13 0,26 0,996,858,5116,048,1922-5-2024
HSBC IF Balanced Fund Retail k. 2,73 -0,07 1,004,495,6214,238,6522-5-2024
M&S Worldwide Managed Acc k. 10,51 0,00 1,004,224,5913,757,8823-5-2024
apo TopSelect Balance A k. 60,40 -0,08 1,003,463,7111,175,4321-5-2024
JPMIF Gl Inc A£h u. 67,83 -0,04 1,015,263,9710,965,6022-5-2024
PGIM PGIM Multi Asset Cred I u. 91,51 0,02 1,011,850,909,605,0222-5-2024
HSBC IF Balanced Fund Accumu k. 3,02 -0,07 1,024,585,8715,389,0722-5-2024
HSBC IF Balanced Fund Income u. 1,71 -0,06 1,024,585,8312,557,8622-5-2024
World xFund Allo A k. 122,70 -0,09 1,035,674,2122,597,8821-5-2024
HGIF Managed Solution A HAUD k. 12,77 0,31 1,034,433,253,351,6922-5-2024
JPMIF Gl Inc A£H u. 56,85 -0,05 1,034,712,414,172,9522-5-2024
HSBC IF Balanced Fund Instit k. 3,14 -0,07 1,034,636,0216,039,3122-5-2024
JPMIF Gl Inc C£H u. 65,20 -0,05 1,034,792,594,933,2522-5-2024
JPMIF Gl Inc C£H u. 84,47 -0,04 1,045,334,1511,765,9222-5-2024
ARERO - Weltf - ESG L k. 135,24 0,07 1,064,046,3512,948,1222-5-2024
Carnegie SPAR Balanserad A 118,64 0,21 1,074,683,2210,254,5820-5-2024
BNPP Target Risk Bal XRHBRL k. 28,87 0,31 1,093,291,8011,002,5621-5-2024