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Datum
AXA WF € Bds F€ u. 95,720,472,188,17-1,717,1219-9-2024
BluBay HY ESG Bd I-$ P k. 334,960,596,158,275,037,0919-9-2024
DWS Inv € HY Corp $FCH k. 174,470,345,986,764,117,0220-9-2024
BluBay HY ESG Bd S-$ k. 179,840,596,128,225,056,9919-9-2024
Nrda1 Eurp Fin Debt Fd HBI-$ k. 340,170,618,6312,754,186,9820-9-2024
RCGF HY Bd IH$ k. 367,370,584,877,273,786,8419-9-2024
BluBay HY ESG Bd C-$ k. 187,580,586,048,114,896,7719-9-2024
BluBay HY ESG Bd I-$ k. 233,470,575,998,054,726,7219-9-2024
JHHF Euro HY Bd I2$ k. 177,260,787,2010,643,396,6820-9-2024
BluBay HY ESG Bd B-$ k. 281,310,575,978,014,686,6819-9-2024
Nrda1 Eurp HY Bd HAI-$ u. 15,710,656,259,303,746,6420-9-2024
Nrda1 Eurp HY Bd HBI-$ k. 26,920,656,249,273,736,6020-9-2024
BluBay HY ESG Bd C-$ AIDiv u. 99,870,586,058,124,156,5919-9-2024
Nrda1 Eurp Fin Debt F HBISGD k. 416,981,649,6116,844,786,5420-9-2024
DWS Euro HY Bd Master ¥h MEX u. 11.300,00-2,66-5,17-1,309,826,5420-9-2024
DWS Inv € HY Corp $LCH k. 166,250,305,636,293,636,5220-9-2024
Nrda1 Eurp HY Bd HBC-$ k. 67,490,636,089,053,516,4020-9-2024
UBS(L)BF Euro High Yield $hP k. 168,890,896,548,824,246,3019-9-2024
BluBay HY ESG Bd R-$ k. 300,100,535,557,424,226,2819-9-2024
JHHF Euro HY Bd A2$ k. 194,330,766,8910,192,956,2520-9-2024
GSF GS Eur HY Bd Ptf P$h k. 163,540,635,157,863,776,2120-9-2024
RCGF HY Bd DH$ k. 203,320,534,396,593,146,2019-9-2024
Nat IFLI Ost € HIF HI€ k. 152,050,886,469,314,046,1719-9-2024
RCGF HY Bd 0IH$ k. 195,720,574,877,273,816,1319-9-2024
MS Eurp HY Bd AH$ k. 40,540,405,888,113,656,1320-9-2024