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
94001 - 94025 of 174036
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
SGAF Core Fund 21,62 0,00 0,720,323,0311,645,459-5-2024
SEI GMF Emerging Markets Deb 10,94 0,00 0,06-0,561,4010,222,189-5-2024
SEI GMF Global Equity Fund 20,73 0,00 1,882,185,2524,1310,889-5-2024
SEI GMF U.K. Equity Fund 15,30 0,00 1,864,448,209,296,929-5-2024
SEI GMF Asia Pacific (Ex-Jap 22,71 0,00 -0,14-0,258,1210,338,319-5-2024
SEI GMF U.K. Core Fixed Inte 9,33 0,00 0,37-0,24-0,32-0,22-3,009-5-2024
SEI GMF Gl Managed Volty Fd 13,77 0,00 1,320,513,389,206,919-5-2024
SEI GMF Global Short Duratio 9,59 0,00 0,000,100,211,800,109-5-2024
SGAF Euro Growth Fund 13,56 0,00 1,270,523,5914,146,779-5-2024
SEI GMF Pan European Small C 15,40 0,00 1,563,277,8714,198,839-5-2024
SEI GMF High Yield Fixed Inc 9,44 0,00 -0,111,07-1,42-0,33-2,769-5-2024
SEI GMF Gl Opp FI Fd 9,55 0,00 0,150,94-3,66-0,30-6,889-5-2024
SEI GMF Liquid Alternative F 14,59 0,00 0,340,274,1413,398,739-5-2024
SEI GMF U.S. Fixed Income Fu 9,55 0,00 0,532,37-0,87-1,87-0,989-5-2024
SEI GMF Dynamic Asset Alloca 16,03 0,00 1,702,735,2321,0610,929-5-2024
SEI GMF U.K. Core Fixed Inte 8,16 0,00 0,50-0,190,844,54-0,899-5-2024
SEI GMF High Yield Fixed Inc 5,95 0,00 0,170,85-1,00-0,34-2,949-5-2024
SEI GMF Japan Equity Fund 16,79 0,00 -0,54-2,413,5820,5610,259-5-2024
SEI GMF Gl FI Fd 13,80 0,00 0,481,41-0,062,931,209-5-2024
SGAF Conservative Fund 12,92 0,00 0,210,061,486,563,309-5-2024
SEI GMF Factor Allocation Gl 16,29 0,00 1,612,135,5624,0411,829-5-2024
SEI GMF Global Short Term Bo 9,66 0,00 -0,39-0,04-0,641,370,439-5-2024
SEI GMF Asia Pacific (Ex-Jap 21,89 0,00 0,160,927,9210,738,109-5-2024
SEI GMF U.K. Core Fixed Inte 14,59 0,00 0,41-0,220,603,65-1,119-5-2024
SEI GMF Gl Managed Volty Fd 29,43 0,00 1,601,954,3112,388,659-5-2024