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
94051 - 94075 of 170124
FondsnaamKoers1 dag(%)1 week
(%)
1 maand
(%)
3 maand
(%)
1 jaar
(%)
YTD
(%)
Datum
BarUF Barings Eurp HY Bd A€ k. 136,45 0,12 0,330,291,5911,342,975-7-2024
AB I Sustainable Inco I2 EUR k. 13,39 0,45 0,600,531,596,520,605-7-2024
Amu US High Yield Bond E2€ k. 15,68 -0,07 -0,810,821,5910,165,344-7-2024
Pim GIS Em Mkts Bd Inst u. 15,58 0,51 -0,470,971,5913,035,805-7-2024
abrdn SICAV I China O A Acc k. 11,25 0,00 -0,891,641,598,647,144-7-2024
CB-AccL Strategic Div A Hedg 96,40 0,00 -0,92-0,361,593,11-4,394-7-2024
BarUF Barings Gl Senior S E€ k. 111,57 0,16 0,290,391,599,832,695-7-2024
BrwnAdv BA Metropolis Glo C£ k. 16,58 0,18 -0,36-0,531,5919,499,633-7-2024
MUL Gl Aggr Green Bd ho£ u. 8,27 0,41 0,400,421,596,871,945-7-2024
Algebris Fin Credit W SGD 115,32 0,00 -0,030,541,5915,874,114-7-2024
abrdn SICAV I US Dollar C X$ k. 12,42 0,47 -0,800,951,595,752,414-7-2024
HI Topselect W k. 76,31 0,06 -0,680,371,598,554,635-7-2024
JAMS Gl EM Foc A€ k. 19,12 -0,10 -0,375,181,599,555,965-7-2024
BSF Gl Real Asset Sec Z2$ k. 121,63 0,36 0,56-0,501,590,06-1,585-7-2024
NB ShDur HY Bd Fd $M u. 7,97 0,25 -0,800,931,593,691,275-7-2024
HGIF Asia ESG Bond XCOEUR k. 9,71 0,00 0,020,141,593,651,294-7-2024
SB Global Resources A u. 103,26 1,71 0,75-2,121,598,929,015-7-2024
AGIF Allianz Food Security P u. 818,28 0,30 -0,56-2,001,59-0,283,153-7-2024
JAMS Gl EM Foc A£ k. 16,74 -0,16 -0,365,091,599,565,935-7-2024
JPMIF Global Macro Su IDGBPh u. 100,22 -0,07 -0,630,881,593,714,295-7-2024
UBS(L)BS Sh Tm EUR Corp $hIB k. 107,91 -0,03 -0,731,191,597,694,614-7-2024
ARCANO European Income Fu Aa k. 168,88 0,23  0,461,599,123,0428-6-2024
RLBF Royal London Shor S Inc u. 96,23 0,00 0,400,721,596,060,665-7-2024
L&G SCV L&G Emerging I Inc u. 1,07 0,00 0,050,431,59 4,144-7-2024
EI Asian Bond RE hedged k. 8,16 0,00 0,020,321,596,052,985-7-2024