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1 - 25 of 956
FondsnaamKoers1 maand
(%)
YTD
(%)
1 jaar
(%)
5 jaar
(%)
10 jaar
(%)
Datum
Xtr MSCI Eurp SmCp UETF 1 k.  0,0020,8820,886,87 28-5-2024
Xtr MSCI Eurp SmCp UETF 1 k. 59,431,657,5412,696,747,4726-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 59,241,767,7012,676,75 26-7-2024
Xtr MSCI Eurp SmCp UETF 1 k.       18-6-2021
Xtr MSCI Eurp SmCp UETF 1 k. 59,421,607,6612,736,747,4826-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 4.989,501,364,409,795,418,1226-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 58,941,937,1212,236,627,4225-7-2024
Xtr MSCI Eurp SmCp UETF 1 k. 64,172,088,4511,826,657,3125-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 175,10-1,029,4512,689,748,2425-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 161,80-0,968,3911,639,608,2126-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 13.662,00-1,604,709,118,358,9218-7-2024
Xtr MSCI Eurp MdCp UETF 1 k. 161,52-1,008,1912,199,758,2826-7-2024
WT IICAV Eurp SmCp Div UETF u. 14,32     7-8-2020
WT IICAV Eurp SmCp Div UE AC k. 13,16     7-8-2020
WT IICAV Eurp SmCp Div U Acc k. 20,351,4610,9814,647,35 25-7-2024
WT IICAV Eurp SmCp Div U Acc k. 1.709,801,217,1113,776,35 25-7-2024
WT IICAV Eurp SmCp Div U Acc k. 20,321,6210,4016,797,68 25-7-2024
WT IICAV Eurp SmCp Div U Acc k. 20,291,5910,7816,957,72 25-7-2024
WT IICAV Eurp SmCp Div U Acc k.  1,6911,4717,187,97 17-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 19,071,4610,9814,646,25 25-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 1.622,400,063,7410,893,05 26-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 19,241,8210,1517,246,58 26-7-2024
WT IICAV Eurp SmCp Di EUR Un u.  1,529,7617,256,61 1-7-2024
WT IICAV Eurp SmCp Di EUR Un u. 19,102,0710,6716,866,45 25-7-2024
WT IICAV Eurp SmCp Di EUR Un u.  2,293,683,686,46 29-11-2021