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FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
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(%)
1 jaar
(%)
YTD
(%)
Datum
MainFrst EM Credit Op C1-CHF k. 132,89 -0,01  196,68185,92165,72179,908-5-2024
MainFrst EM Credit Op A1-CHF k. 127,59 -0,01  196,62185,66164,82179,488-5-2024
MainFrst EM Credit Opp Fd D u. 172,97 0,00  196,10199,18232,48207,498-5-2024
MainFrst EM Credit Opp Fd C k. 201,75 0,00  196,09199,16232,19207,488-5-2024
MainFrst EM Credit Opp Fd A k. 193,04 -0,01  196,01198,89230,81206,988-5-2024
MainFrst EM Credit Opp Fd D2 u. 128,42 -0,01  195,97196,99202,59197,068-5-2024
MainFrst EM Credit Opp C2-€ k. 155,61 -0,01  195,89197,02200,87197,028-5-2024
MainFrst EM Credit Opp A2-€ k. 149,76 -0,01  195,79196,67199,94196,558-5-2024
BNPP EM BdOpp CRHCNH u. 60,03 -0,25  4,9414,3375,0524,358-5-2024
BNPP SusAsCiBd Classi u. 128,75 0,00  2,836,100,138,358-5-2024
GSF III GS EM Debt HC PCCZKH k. 270,32 0,00 0,682,623,354,570,4110-5-2024
Amu Emerging Markets A2CZKh k. 1.144,88 -0,03  2,564,5811,195,818-5-2024
GSF III GS EM Debt HC PCCZKH k. 6.258,49 0,00 0,902,543,514,320,6010-5-2024
AB FCP I EM Debt Ptf AAhZAR u. 55,88 0,16 0,702,526,9019,435,4910-5-2024
abrdn SICAV I Sel EM A2CZKh k. 103,66 0,01 1,552,403,729,821,2910-5-2024
GSF III GS EM Debt HC XDMZAR u. 986,68 -0,07 0,762,386,3317,694,7210-5-2024
GSF III GS EM Debt HC YDMZAR u. 885,48 -0,08 0,742,306,0516,474,3210-5-2024
FF CN HY AHMGA$ u. 4,17 0,20 0,342,246,16-0,416,8710-5-2024
GSF III GS Asian Debt XDMZAR u. 1.829,33 0,01 0,532,234,5011,374,7010-5-2024
GSF III GS FrM Db HC XDMZAR u. 2.410,43 0,00 1,112,228,6432,448,2210-5-2024
FTIF Tem EM Bond Fund ABCZKH u. 63,58 -0,24 0,392,183,958,903,5110-5-2024
GSF III GS EM Debt HC XDMZAR u. 53,46 -0,02 0,522,176,3318,563,8810-5-2024
GSF III GS Asian Debt YDMZAR u. 1.589,40 0,00 0,512,154,2810,254,3610-5-2024
SISF EM Bd A u. 1.061,81 0,13 0,842,136,9417,755,5710-5-2024
GSF III GS FrM Db HC YDMZAR u. 2.237,58 0,00 1,092,128,3531,157,8010-5-2024